Aviance Capital Management Has Decreased Its Vodafone Group Plc Adr (VOD) Holding; Cim Investment Mangement Has Lowered General Motors (GM) Holding By $368,040

February 21, 2018 - By Peter Mason

Cim Investment Mangement Inc decreased General Motors (GM) stake by 35.01% reported in 2017Q3 SEC filing. Cim Investment Mangement Inc sold 9,201 shares as General Motors (GM)’s stock declined 12.09%. The Cim Investment Mangement Inc holds 17,083 shares with $690,000 value, down from 26,284 last quarter. General Motors now has $57.69 billion valuation. The stock increased 0.88% or $0.36 during the last trading session, reaching $41.13. About 5.57 million shares traded. General Motors Company (NYSE:GM) has risen 7.92% since February 21, 2017 and is uptrending. It has underperformed by 8.78% the S&P500.

Aviance Capital Management Llc decreased Vodafone Group Plc Adr (VOD) stake by 9.11% reported in 2017Q3 SEC filing. Aviance Capital Management Llc sold 73,237 shares as Vodafone Group Plc Adr (VOD)’s stock rose 16.21%. The Aviance Capital Management Llc holds 730,699 shares with $20.80 million value, down from 803,936 last quarter. Vodafone Group Plc Adr now has $69.66 billion valuation. The stock decreased 0.35% or $0.1 during the last trading session, reaching $28.55. About 2.68M shares traded. Vodafone Group Plc (NASDAQ:VOD) has declined 13.23% since February 21, 2017 and is downtrending. It has underperformed by 29.93% the S&P500.

Analysts await General Motors Company (NYSE:GM) to report earnings on April, 27. They expect $1.31 EPS, down 22.94% or $0.39 from last year’s $1.7 per share. GM’s profit will be $1.84 billion for 7.85 P/E if the $1.31 EPS becomes a reality. After $1.65 actual EPS reported by General Motors Company for the previous quarter, Wall Street now forecasts -20.61% negative EPS growth.

Investors sentiment decreased to 0.87 in Q3 2017. Its down 0.15, from 1.02 in 2017Q2. It worsened, as 66 investors sold GM shares while 322 reduced holdings. 96 funds opened positions while 242 raised stakes. 1.01 billion shares or 1.95% less from 1.03 billion shares in 2017Q2 were reported. Century Companies Inc reported 756,803 shares or 0.03% of all its holdings. Arrow Fincl has 0.01% invested in General Motors Company (NYSE:GM) for 1,200 shares. Stephens Ar holds 65,085 shares or 0.09% of its portfolio. Advisors Limited Liability accumulated 0% or 7 shares. Clarivest Asset Mgmt Limited Liability holds 0.02% or 25,248 shares. Sawgrass Asset Lc holds 0.05% of its portfolio in General Motors Company (NYSE:GM) for 23,405 shares. Gotham Asset Mgmt Ltd Liability holds 0.7% in General Motors Company (NYSE:GM) or 1.18M shares. Picton Mahoney Asset Mgmt holds 0.12% of its portfolio in General Motors Company (NYSE:GM) for 39,000 shares. Paradigm Fincl Advisors Ltd Liability reported 7,462 shares. Jpmorgan Chase & Company holds 0.09% or 10.60 million shares in its portfolio. Franklin Resource reported 0.34% in General Motors Company (NYSE:GM). Ameriprise Fincl invested 0.11% of its portfolio in General Motors Company (NYSE:GM). Shapiro Cap Mgmt Ltd Limited Liability Company accumulated 2.12% or 2.30 million shares. Meeder Asset Incorporated owns 152,761 shares or 0.67% of their US portfolio. Cibc Comml Bank Usa owns 25,316 shares.

Among 29 analysts covering General Motors Company (NYSE:GM), 16 have Buy rating, 3 Sell and 10 Hold. Therefore 55% are positive. General Motors Company had 90 analyst reports since July 24, 2015 according to SRatingsIntel. The firm has “Neutral” rating by Credit Suisse given on Friday, July 24. The company was maintained on Thursday, October 22 by RBC Capital Markets. The rating was maintained by RBC Capital Markets on Friday, July 24 with “Sector Perform”. The rating was maintained by RBC Capital Markets with “Sector Perform” on Thursday, February 4. Goldman Sachs downgraded the stock to “Sell” rating in Monday, October 30 report. The stock of General Motors Company (NYSE:GM) earned “Buy” rating by UBS on Friday, July 24. Morgan Stanley upgraded General Motors Company (NYSE:GM) on Monday, September 19 to “Overweight” rating. Piper Jaffray maintained it with “Buy” rating and $44.0 target in Monday, September 11 report. The rating was maintained by Guggenheim with “Buy” on Wednesday, February 7. The firm has “Hold” rating by Standpoint Research given on Thursday, September 14.

Among 9 analysts covering Vodafone Group PLC (ADR) (NASDAQ:VOD), 5 have Buy rating, 1 Sell and 3 Hold. Therefore 56% are positive. Vodafone Group PLC (ADR) had 15 analyst reports since October 19, 2015 according to SRatingsIntel. Standpoint Research downgraded the stock to “Reduce” rating in Thursday, June 1 report. The rating was downgraded by HSBC to “Hold” on Tuesday, January 17. The firm earned “Hold” rating on Tuesday, September 20 by Argus Research. Bank of America downgraded the stock to “Neutral” rating in Wednesday, January 25 report. The firm earned “Neutral” rating on Monday, June 13 by Macquarie Research. BNP Paribas downgraded the stock to “Neutral” rating in Monday, November 21 report. Standpoint Research initiated Vodafone Group Plc (NASDAQ:VOD) on Tuesday, January 3 with “Accumulate” rating. The stock has “Buy” rating by Bank of America on Wednesday, August 9. The stock of Vodafone Group Plc (NASDAQ:VOD) has “Buy” rating given on Wednesday, April 20 by Bank of America. The firm earned “Overweight” rating on Friday, December 8 by Barclays Capital.

Aviance Capital Management Llc increased Royal Dutch Shell Plc stake by 177,399 shares to 419,404 valued at $26.23M in 2017Q3. It also upped Crown Castle International Corp (NYSE:CCI) stake by 40,518 shares and now owns 115,606 shares. General Dynamics Corp (NYSE:GD) was raised too.

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